Advisor role
Job Overview
We are seeking an experienced Compliance Officer to oversee and manage our money transmitter compliance program. This role is responsible for ensuring adherence to federal and state regulations governing money transmission services.
Key Responsibilities
Lead the process of attaining MTL licensing in the U.S. and certain latin American regions
Develop, implement, and maintain comprehensive compliance policies and procedures
Monitor and ensure compliance with Bank Secrecy Act (BSA), Anti-Money Laundering (AML), and USA PATRIOT Act requirements
Oversee the filing of Currency Transaction Reports (CTRs) and Suspicious Activity Reports (SARs)
Review and assess commercial agreements and employment contracts
Manage state money transmitter licensing requirements and renewals
Conduct regular risk assessments and internal audits
Train staff on compliance procedures and regulatory requirements
Serve as primary liaison with regulatory agencies during examinations
Monitor transaction activity for suspicious patterns
Maintain compliance monitoring systems and tools
Required Qualifications
Bachelor's degree in Business, Finance, Law, or related field
5+ years of compliance experience in financial services, preferably in money transmission
Strong knowledge of BSA/AML regulations and state money transmitter requirements
CAMS certification preferred
Experience with compliance management systems
Strong analytical and problem-solving skills
Excellent written and verbal communication abilities
Skills & Competencies
Detail-oriented with strong organizational skills
Ability to interpret and apply complex regulations
Strong project management capabilities
Leadership and team management experience
Proficiency in compliance software and tools
Compensation
Salary + benefits: $100k to $130k
Equity: $0k to $200k (4yr vesting, based on latest valuation)
Remote
1st year:
Benefits
Full Time
Great Gear
Equity Plan
Remote First
Modern Tools
Flex Schedule
Unlimited PTO
Growth Budget